Livforsakringsbolaget Skandia, Omsesidigt Q3 2024 Filing

Filed October 10, 2024

Portfolio Value

$1.9B

Holdings

596

Report Date

Q3 2024

Filing Type

13F-HR

All Holdings (596 positions)

StockValue
TTWOTake-two interactive softwre
$204K
CCKCrown holdings inc
$204K
MIGAMicrostrategy inc-cl a
$202K
WSMWilliams-sonoma inc
$201K
GPNGlobal payments inc
$201K
ELEstee lauder companies-cl a
$200K
PPGPpg industries inc
$198K
EXRExtra space storage inc
$198K
MLMMartin marietta materials
$198K
UDRUdr inc
$197K
HUBSHubspot inc
$195K
IFFIntl flavors & fragrances
$194K
TEAMAtlassian corp-cl a
$193K
STZConstellation brands inc-a
$191K
BRBroadridge financial solutio
$191K
EIXEdison international
$189K
POOLPool corp
$188K
MTDMettler-toledo international
$187K
NINisource inc
$187K
STTState street corp
$187K
BROBrown & brown inc
$187K
DDominion energy inc
$187K
NETCloudflare inc - class a
$186K
MRNAModerna inc
$185K
CLXClorox company
$181K
BAXBaxter international inc
$180K
AREAlexandria real estate equit
$180K
WATWaters corp
$180K
MTBM & t bank corp
$180K
AFWAlign technology inc
$178K
BXPBxp inc
$177K
WSOWatsco inc
$175K
IPInternational paper co
$175K
CTVACorteva inc
$174K
TROWT rowe price group inc
$174K
MOHMolina healthcare inc
$172K
MCXMccormick & co-non vtg shrs
$171K
VMCVulcan materials co
$171K
TRMBTrimble inc
$170K
DGXQuest diagnostics inc
$169K
TRUTransunion
$167K
RBLXRoblox corp -class a
$164K
CBOECboe global markets inc
$163K
RJFRaymond james financial inc
$163K
FTVFortive corp
$161K
UNPTyler technologies inc
$160K
CSGPCostar group inc
$158K
AXONAxon enterprise inc
$157K
SMCISuper micro computer inc
$156K
FDSFactset research systems inc
$155K
MDBMongodb inc
$151K
LIILennox international inc
$150K
ULTAUlta beauty inc
$150K
FBINFortune brands innovations i
$148K
TRGPTarga resources corp
$148K
TERTeradyne inc
$147K
NVRNvr inc
$147K
WBDWarner bros discovery inc
$147K
LHLabcorp holdings inc
$146K
RSReliance inc
$145K
CFGCitizens financial group
$144K
UTHUnited therapeutics corp
$143K
OXYOccidental petroleum corp
$143K
LPLALpl financial holdings inc
$140K
PODDInsulet corp
$139K
VTRSViatris inc
$138K
ZSZscaler inc
$138K
NLYAnnaly capital management in
$138K
FOXFox corp - class b
$138K
ILMNIllumina inc
$136K
PINSPinterest inc- class a
$136K
KEYKeycorp
$136K
ENPHEnphase energy inc
$136K
DGDollar general corp
$135K
JNPJuniper networks inc
$135K
CPTCamden property trust
$132K
BURLBurlington stores inc
$132K
BAHBooz allen hamilton holdings
$130K
AVTRAvantor inc
$130K
PCGP g & e corp
$127K
HSTHost hotels & resorts inc
$125K
WRBWr berkley corp
$125K
JKHYJack henry & associates inc
$124K
ENQEntegris inc
$123K
BMRNBiomarin pharmaceutical inc
$121K
WBAWalgreens boots alliance inc
$121K
LYVLive nation entertainment in
$120K
DLTRDollar tree inc
$120K
MRO*Marathon oil corp
$120K
MANHManhattan associates inc
$118K
TWTradeweb markets inc-class a
$118K
EQTEqt corp
$117K
KIMKimco realty corp
$117K
PSTGPure storage inc - class a
$116K
ELSEquity lifestyle properties
$115K
STLDSteel dynamics inc
$114K
ROLRollins inc
$112K
DTDynatrace inc
$112K
TECHBio-techne corp
$110K
DVADavita inc
$110K
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